Job Description

A great opportunity to work in a global bank, take the lead in shaping the Bank’s risk management.

  • Bring your creatively, passion and ideas to deliver high quality results.
  • Be part of a global platform that values excellence.
  • Inspire change, drive innovation and make an impact – here is a stage for you.

About the role:

  • We are seeking an experienced and dynamic Senior Risk Manager to join our team. 
  • The successful candidate will be responsible for overseeing comprehensive risk management, risk governance and appetite, risk portfolio, market and treasury risk, risk transformation and sustainability risk management, as well as the risk analytics and insights. 
  • This is a strategic leadership role that requires collaboration across departments to ensure effective risk oversight and compliance with regulatory requirements.

Key responsibilities:

  • Develop, implement, and oversee the bank’s enterprise risk management framework, and maintain effective risk governance structures and policies. 
  • Monitor and manage market and treasury risks, ensuring alignment with regulatory and internal policies.
  • Leverage the power of risk data to further developing the bank’s risk monitoring framework and support ongoing risk management.
  • Develop strategies for risk intelligence, support risk analytics, and provide data-driven insights to Senior Leadership.
  • Assess and manage ESG risks, integrating sustainability considerations into risk management practices. Prepare reports and disclosures related to climate risks.
  • Ensure compliance with local and international regulatory requirements.
  • Lead and mentor a team of risk professionals, fostering a high-performance environment. 
  • Be a risk change agent, responsible for identifying and driving change within Risk teams across the bank, constructively challenging and disrupting legacy thinking and processes where appropriate.

About you:

  • You will need 10+ years of experience in Risk, Compliance or Product within banking or financial services sector. 
  • Broad banking experience, ideally market risk or treasury experience.
  • Proficiency in analytics and reporting tools, with a data-driven approach to decision-making.
  • Demonstrated ability to drive positive behavioural changes at an organisational level.
  • Excellent communication and relationship-building skills, proven ability to engage and influence stakeholders across all levels of the organisation. 

Qualifications:

  • Tertiary qualified in Finance, Statistics, Computer Science, Financial Engineering, Risk Management or a related field.
  • Strong knowledge of regulatory requirements and practices.
  • Proven ability to develop innovative solutions and think laterally.
  • Ability to quickly build and maintain internal and external relationships.